v3.26.1
UNAUDITED CONDENSED CONSOLIDATED INTERIM STATEMENT OF CASH FLOWS - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
NET CASH FLOW FROM OPERATING ACTIVITIES    
Net income $ 287.8 $ 160.5
Adjustments for:    
Depreciation and amortization 215.1 159.1
Impairment losses 3.0 2.9
Share-based payment expense 29.9 16.9
Other non-cash valuation losses 1.5 0.4
Interest income (8.1) (2.9)
Interest expense 44.9 52.0
Foreign currency exchange losses/(gains), net & other finance costs 24.1 (10.6)
Loss on debt extinguishment 50.5 0.0
Income tax expense 113.5 58.9
Changes in:    
Inventories (299.4) (309.1)
Accounts receivables 228.2 170.8
Prepaid expenses and other assets (34.8) 15.2
Accounts payables 56.8 (32.1)
Other liabilities (179.9) (43.0)
Cash generated from operating activities 533.1 239.0
Interest paid (52.0) (44.5)
Interest received 9.6 5.5
Income taxes paid (152.2) (92.5)
Net cash flows from operating activities 338.5 107.5
NET CASH FLOW FROM INVESTING ACTIVITIES    
Acquisition of business (10.0) 0.0
Acquisition of property, plant and equipment (135.3) (85.7)
Acquisition of intangible assets (36.2) (43.5)
Acquisition of right-of-use assets (5.7) (6.0)
Proceeds from sale of subsidiary 4.5 0.0
Net cash flows used in investing activities (182.7) (135.2)
NET CASH FLOW FROM FINANCING ACTIVITIES    
Proceeds from share issuance, net of issuance costs 836.1 0.0
Repayment for redemption of debt securities (800.0) 0.0
Repayment of debt premium (43.1) 0.0
Proceeds from short-term borrowings from financial institutions 44.5 2.9
Repayments of short-term borrowings from financial institutions (43.9) 0.0
Proceeds from exercise of share options 14.6 21.1
Payments of lease liabilities (87.2) (45.5)
Payments of debt issuance costs 0.0 (0.6)
Settlements of forward contracts and balance sheet hedges (1.5) (16.6)
Release of derivative contract collateral 0.0 3.2
Payment of dividends to Non-Controlling Interests (6.7) 0.0
Other financing items (0.8) (2.8)
Net cash flows used in financing activities (88.0) (38.3)
CHANGE IN CASH AND CASH EQUIVALENTS 67.8 (66.0)
Cash and cash equivalents    
Cash and cash equivalents at period end 720.4 303.4
Translation differences 0.3 24.0
Cash and cash equivalents at the beginning of the period 652.3 345.4
NON-CASH INVESTING ACTIVITIES    
Change in capital expenditures in accounts payable and other current liabilities $ (15.7) $ (26.7)